Medtronic plcMDT

Market cap
$129.7B
P/E ratio
Apr 24,
2015
Apr 29,
2016
Apr 28,
2017
Apr 27,
2018
Apr 26,
2019
Apr 24,
2020
Apr 30,
2021
Apr 29,
2022
Apr 28,
2023
Apr 26,
2024
Apr 25,
2025
Net income--4,0243,0954,6504,8063,6305,0623,7843,7054,691
Depreciation and amortization1,3062,8202,9172,6442,6592,6632,7022,7072,6972,6472,861
Provision for credit losses354939527899128587390123
Deferred income taxes-926-460-459-919-304-1,315-422-604-226-508-316
Stock-based compensation439375348344290297344359355393429
Loss on debt extinguishment--163--38-457-406-308--53--
Asset Impairment Charges-------515-371-
Other, net13411193-117-257-217-251-138-270-573-310
Accounts receivable, net41343575275581-1,291761477576391433
Inventories282186227192274577-78560939139292
Accounts payable and accrued liabilities1,616-6535665399-44531213696391209
Other operating assets and liabilities-643403-85-22962460954965148345538
Net cash provided by operating activities-5,2186,8804,6847,0077,2346,2407,3466,0396,7877,044
Acquisitions, net of cash acquired14,8841,2131,3241371,827488994911,86721198
Additions to property, plant, and equipment5711,0461,2541,0681,1341,2131,3551,3681,4591,5871,859
Purchases of investments7,5825,4064,3713,2002,53211,03911,8089,8827,5147,7488,226
Sales and maturities of investments5,8909,9245,3564,2274,6839,57411,3459,6927,3437,4418,495
Other investing activities, net-8914-2222-36375410-4261249
Net cash used in investing activities-2,245-1,5715,858-774-3,203-2,866-1,659-3,493-2,366-1,937
Change in current debt obligations, net----249-713-17-311--1,073-1,070
Proceeds from Short-Term Debt------2,789-2,284--
Repayments from short-term borrowings (maturities greater than 90 days)------2,853-2,279--
Issuance of long-term debt19,942-2,140217,7945,5687,172-5,409-3,209
Payments on long-term debt1,2685,1328637,3707,9486,1107,36716,012--
Dividends to shareholders1,3372,1392,3762,4942,6932,8943,1203,3833,6163,6663,589
Issuance of ordinary shares649491428403992662474429308284508
Repurchase of ordinary shares1,9202,8303,5442,1712,8771,3266522,5446452,1383,235
Other financing activities-318285-214-81-268163-409-3-184
Net cash used in financing activities--9,543-3,283-11,954-5,431-4,198-4,136-5,336-4,960-4,450-4,361
Effect of exchange rate changes on cash and cash equivalents-----78-86215-231243-230188
Net change in cash and cash equivalents----724-253-547121-2,171-259934
Income taxes6321,3791,0292,5421,5588781,2509961,5481,6221,819
Interest----973643582540606826762